BP VVS-TEKNIK ApS — Credit Rating and Financial Key Figures

CVR number: 35680411
Gyden 8, 6430 Nordborg
anders@bp-vvs.dk
tel: 74451144
www.bp-vvs.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit455.42543.891 066.66596.22803.14
Employee benefit expenses- 418.03- 488.20- 640.46- 545.43- 603.55
Total depreciation-10.15-47.04-35.28-41.46-66.09
EBIT27.248.65390.929.32133.50
Other financial expenses-0.86-0.97-1.37-4.23-3.30
Pre-tax profit26.387.68389.555.09130.19
Income taxes-5.80-1.69-85.70-1.12-28.64
Net earnings20.585.99303.853.97101.55

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment30.45141.12105.84124.38198.28
Tangible assets total30.45141.12105.84124.38198.28
Investments total
Long term receivables total
Raw materials and consumables45.0045.00180.3650.00
Inventories total45.0045.00180.3650.00
Current trade debtors164.63732.66528.91826.68
Current other receivables65.0075.0017.99
Current deferred tax assets27.0724.23
Short term receivables total256.7099.23732.66546.90826.68
Cash and bank deposits103.5363.93149.31205.33
Cash and cash equivalents103.5363.93149.31205.33
Balance sheet total (assets)435.67349.28987.811 056.971 074.97

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Retained earnings-1.6718.9124.90328.75332.72
Profit of the financial year20.585.99303.853.97101.55
Shareholders equity total68.9174.90378.75382.72484.28
Non-current liabilities total
Current loans from credit institutions42.20
Current trade creditors131.8678.70135.00337.44286.80
Current owed to group member100.00100.00100.00100.00125.00
Short-term deferred tax liabilities60.321.1228.64
Other non-interest bearing current liabilities134.9095.68313.74235.69108.05
Current liabilities total366.76274.38609.05674.25590.69
Balance sheet total (liabilities)435.67349.28987.811 056.971 074.97
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.